FundManager

About FundManager

Research built to be checked, not just read

We publish equity fund and wealth-management research for US investors, with methodology transparent enough to verify against source material.

Independence

Editorial Independence

FundManager does not accept payment from fund managers, brokerages, or asset managers in exchange for favorable coverage. Our frameworks and calculators are built to hold regardless of which product category performs better in a given period.

No Paid Placement

Fund examples are chosen for illustration, not compensation.

No Product Sales

We do not sell, distribute, or manage investment products.

Methodology

SEC Sourcing & Research Methodology

Stage 1

Source

Public filings, prospectuses, and regulatory guidance

Stage 2

Cross-Check

Compared against category averages and disclosures

Stage 3

Simplify

Rewritten in plain language without losing accuracy

Stage 4

Review

Quarterly re-check for accuracy and relevance

Data Verification

Numbers are checked before publication

Expense ratios, historical CAGR figures, and calculator defaults are reviewed against fund fact sheets and updated when source data changes materially.

Content Standards

Independent, decision-focused analysis

Content explains mechanisms and trade-offs rather than recommending specific funds, tickers, or timing decisions.

Principles

Research & Transparency Standards

  • 01

    Every calculator discloses its formula and assumptions, not just a result.

  • 02

    Risk is presented alongside return in every framework, never in isolation.

  • 03

    Complex decisions include a clear path for validating assumptions with the appropriate professional.

  • 04

    Corrections are published transparently when material errors are found.